Overview Reboot Monkey, a leading provider of innovative data center solutions, is seeking a dynamic and strategic Chief Financial Officer (CFO) to lead and oversee all financial operations of the company. The ideal candidate will play a key role in driving sustainable growth through financial leadership, investment strategy, and operational management. The CFO will report to the CEO and work closely with the executive leadership team to ensure that budgeting, forecasting, financial reporting, risk management, investment strategies, and compliance are effectively managed and aligned with Reboot Monkey's long-term goals.
Responsibilities Financial Strategy & Leadership : Develop and implement the company’s financial strategy to support business growth, operational efficiency, and profitability. Provide strategic financial advice to the CEO and senior leadership team. Lead and mentor the finance department to foster accountability, collaboration, and continuous improvement.
Investment Management : Oversee management of all company investments, including asset allocation, performance analysis, and risk assessment. Identify, evaluate, and execute investment opportunities aligned with long-term objectives. Manage relationships with financial partners.
Financial Planning & Analysis (FP&A) : Lead preparation of financial forecasts, annual budgets, and long-term plans. Analyze results to identify trends, variances, and opportunities for improvement. Provide financial modeling, scenario planning, and decision support.
Accounting & Financial Reporting : Oversee financial reporting, ensuring accuracy and timeliness of monthly, quarterly, and annual reports. Ensure compliance with regulations and accounting standards (GAAP, IFRS) and internal policies. Prepare financial statements with transparency and accountability.
Risk Management & Compliance : Develop and implement risk management strategies to mitigate financial, operational, and regulatory risks. Ensure adherence to tax, securities, and corporate governance laws. Oversee internal audit and compliance functions.
Treasury & Cash Flow Management : Oversee treasury operations, cash management, working capital optimization, and financing strategies. Manage liquidity to meet operational needs. Develop strategies for debt, equity, and financing arrangements.
Stakeholder Management : Serve as the primary contact for financial stakeholders, communicate performance and strategy to the Board, investors, banks, and analysts. Build positive relationships with external financial partners.
Mergers & Acquisitions (M&A) : Lead mergers, acquisitions, and divestitures, including due diligence, valuation, and integration. Evaluate financial implications of opportunities to ensure strategic alignment.
Qualifications Bachelor’s degree in Finance, Accounting, Economics, or related field (MBA or advanced degree preferred).
Minimum of 10 years of experience in senior financial management roles, including overseeing investments, accounting, financial reporting, and strategic planning.
Professional certifications such as CPA, CFA, or equivalent are highly desirable.
In-depth knowledge of corporate finance, accounting principles, financial modeling, and risk management.
Strong leadership and management skills with ability to influence decision-making at all levels.
Excellent communication and interpersonal skills; able to build relationships with internal and external stakeholders.
Experience in the technology or infrastructure sectors is a plus.
Salary Range: 800 - 1,000 Euros.
How to apply Please submit CV / Resume in English.
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